In large organizations, many smaller individual budgets submitted by department heads and other responsible people comprise the master budget.
The organization's department heads, including those in charge of sales and administrative functions, submit their individual budgets, which are then combined to form a comprehensive financial plan for the entire organization.
A large business is one with a larger than average size, extensive operations, and significant economies of scale. They make a lot of money and employ a lot of people. They might focus on domestic or even global markets.
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a capital investment evaluation method that measures the expected time until the present value of the net cash flows equals the initial investment is: multiple choice question. profit time
The capital investment evaluation method that measures the expected time until the present value of the net cash flows equals the initial investment is called the payback period.
This method is a simple and popular way of evaluating capital investments, as it allows managers to quickly determine how long it will take for the investment to generate enough cash flow to recover the initial investment. The payback period is often used in conjunction with other capital investment evaluation methods, such as net present value and internal rate of return. However, one of the main criticisms of the payback period method is that it does not consider the time value of money or the risk associated with the investment.
Therefore, it is important to use the payback period in combination with other evaluation methods to make informed capital investment decisions.
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a perfectly competitive firm currently producing 20 units of output earns an average revenue of $15 per unit. if it sells 40 units, then its total revenues would be:
A perfectly competitive firm is a price-taker, meaning that it cannot influence the market price of its product. In this scenario, the firm earns an average revenue of $15 per unit when producing 20 units of output.
Average revenue (AR) is calculated by dividing total revenue (TR) by the quantity of output (Q): AR = TR/Q. Therefore, the firm's current total revenue is:
AR = TR/Q
$15 = TR/20
TR = $300
If the firm were to sell 40 units of output, the total revenue would be:
AR = TR/Q
$15 = TR/40
TR = $600
Thus, if the firm were to sell 40 units of output, its total revenue would be $600. It is important to note that in perfect competition, the marginal revenue (MR) equals the average revenue (AR) and the price. Therefore, the marginal revenue earned by the firm would also be $15 per unit, regardless of the quantity of output sold.
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ii. Jackson Corporation is planning a $200,000 expansion to meet increasing demand for its product. Jackson Corporation is considering two plans to raise the money. Under Plan A, bonds with a contract rate of interest of 8% would be issued. Under Plan B, 10,000 additional ordinary shares would be issued at $20 per share. The corporation currently has 100,000 shares outstanding, and it expects to earn $300,000 per year before bond interest and income taxes. The net profit and return on investment for both plans is shown below:
Plan A
Plan B
Earnings before bond interest and taxes
$ 300,000
$ 300,000
Bond interest expense
(16,000)
Income before taxes
$ 284,000
$ 300,000
Income taxes
(99,400)
(105,000)
Net profit
$ 184,600
$ 195,000
Equity
$2,000,000
$2,200,000
Return on Equity
9.23%
8.86%
Required: Please compare the above two plans to raise the money.
The Jackson Corporation is planning a $200,000 expansion to meet increasing demand for its product, and it is considering two plans to raise the money: Plan A, issuing bonds with a contract rate of interest of 8%, and Plan B, issuing 10,000 additional ordinary shares at $20 per share.
Plan A would result in an earnings before bond interest and taxes of $300,000, but after bond interest expense of $16,000 and income taxes of $99,400, the net profit would be $184,600. On the other hand, Plan B would also result in earnings before taxes of $300,000, but after income taxes of $105,000, the net profit would be $195,000.
In terms of equity, Plan A would result in an equity of $2,000,000, and Plan B would result in an equity of $2,200,000. The return on equity for Plan A would be 9.23%, while for Plan B, it would be 8.86%.
From the analysis, we can see that both plans have their pros and cons. Plan A results in a lower net profit and return on equity, but it would not dilute the ownership of the current shareholders. On the other hand, Plan B results in a higher net profit and return on equity, but it would dilute the ownership of the current shareholders.
Ultimately, the decision on which plan to choose would depend on the preferences of the Jackson Corporation and its shareholders. If they prioritize maintaining their current ownership, Plan A might be the better option. However, if they prioritize maximizing their profits, Plan B might be the better option.
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In a closed economy, if households expect future income to be lower than expected and firms expect future productivity to be lower, then the real interest rate __________ and equilibrium saving __________.
a. falls; falls
b. falls; rises
c. rises; falls
d. rises; rises
e. none of the other options
In a closed economy, if households expect future income to be lower than expected and firms expect future productivity to be lower, then the real interest rate falls and equilibrium saving rises. (option b).
This is because households will tend to save more as they anticipate lower future income, while firms will be less inclined to invest due to lower expected productivity. This increase in saving and decrease in investment demand will lead to a decrease in the real interest rate to reach a new equilibrium. Therefore, the correct answer is b. falls; rises.
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which of the following statements is true of measuring values? group of answer choices advertising is the least effective indicator of values. the least obtrusive way to measure values is to make inferences based on a culture's milieu. marketers directly assess values by using the means-end chain analysis. values are often easy to measure. consumers' response to a values questionnaire is the most accurate way of measuring values.
Explain in brief means-end chain analysis is a research technique used by marketers to understand the relationships between a consumer's purchasing behavior and their underlying motives and values.
It involves identifying the sequence of events that lead a consumer to make a purchase and mapping out the connections between their desired end result and the means they use to achieve it.
This helps marketers understand how different product attributes, features, and benefits are perceived by consumers, and how they can be used to create more effective advertising and marketing campaigns. Therefore, the statement that marketers directly assess values by using the means-end chain analysis is true
The statement that is true of measuring values among the provided choices is: Marketers directly assess values by using the means-end chain analysis." Means-end chain analysis is a technique used by marketers to understand the connection between consumer values and their product choices, helping them tailor their marketing strategies accordingly.
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a company issues its equity securities to purchase land. the common stock is publicly traded, and both the value of the stock and the land is known. the best indicator of fair value is the value of the
Answer: value of the land
Explanation:
Since the land is being acquired with the issuance of equity securities, the fair value of the land should be based on an independent appraisal or an agreed-upon valuation. This would provide a reliable estimate of the fair value of the land that the company is acquiring.
While the value of the common stock may also be relevant, it may not necessarily be the best indicator of fair value in this specific situation. The fair value of the land should be the primary consideration, as it represents the underlying asset being acquired by the company in exchange for its equity securities. The value of the common stock may fluctuate due to market conditions, investor sentiment, and other factors, which may not accurately reflect the fair value of the land being acquired. Therefore, an independent appraisal or an agreed-upon valuation of the land would be the most appropriate indicator of fair value in this case.
identify the type of analysis that you are performing when you are analyzing historical credit card data to understand what a fraudulent transaction looks like.
The type of analysis being performed when analyzing historical credit card data to understand what a fraudulent transaction looks like is Anomaly Detection Analysis.
Anomaly detection analysis involves identifying patterns or deviations from normal behavior or expected patterns within a dataset. In the context of credit card data analysis, it aims to identify fraudulent transactions by comparing them to historical data and detecting unusual or suspicious patterns.
This type of analysis plays a crucial role in fraud detection and prevention within the credit card industry, helping to protect individuals and organizations from financial losses and unauthorized transactions.
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Assume you are the department B manager for Marley’s Manufacturing. Marley’s operates under a cost-based transfer structure. Assume you receive the majority of your raw materials from department A, which sells only to department B (they have no outside sales). After calculating the operating income in dollars and operating income in percentage, analyze the following financial information to determine costs that may need further investigation.
As the department B manager for Marley's Manufacturing, analyzing the financial information is crucial to ensure the company's profitability.
The following costs require further investigation: Raw material costs: As department A is the sole supplier of raw materials to department B, it is crucial to investigate the raw material costs. The cost of raw materials may have a significant impact on the overall profitability of department B, and if the costs are too high, it may result in lower operating income. Labor costs: Labor costs can have a significant impact on the operating income, and it is essential to investigate if the labor costs are in line with the company's budget. Higher labor costs can result in a lower operating income. Overhead costs: Overhead costs can include various expenses such as rent, utilities, and depreciation. It is essential to investigate if these costs are in line with the company's budget. Higher overhead costs can result in a lower operating income. Transfer pricing: Since Marley's operates under a cost-based transfer structure, it is important to investigate if the transfer pricing is reasonable. If the transfer price is too high, it can result in a lower operating income. To analyze the financial information, the operating income in dollars and operating income in percentage should be calculated. The operating income in dollars is the revenue minus the total costs, while the operating income in percentage is the operating income divided by revenue multiplied by 100. By comparing the operating income in dollars and percentage to the budgeted amounts, it is possible to identify which costs may need further investigation.
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which of the following procedures is generally performed in all audits because of the unusual risks related to the items recorded? multiple choice review of general journal entries. review of cash disbursements. review of cash receipts. review routine sales transactions.
The procedure generally performed in all audits due to unusual risks related to the items recorded is the review of cash disbursements.
The evaluation of cash disbursements is a practice that is often carried out in every audit because of the unusual risks associated with the items documented. This is because cash payments are more prone to fraud and financial misappropriation, particularly in the presence of lax internal controls or a lack of monitoring.
Auditors can examine cash disbursements to check the authenticity and correctness of transactions, ensure adherence to rules and regulations, and find any discrepancies or mistakes in the recording of financial data. Even though other processes like checking cash receipts, standard sales transactions, and general journal entries are crucial, they might not carry the same level of risk as cash disbursements.
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when a firm has a public relations agent, the primary function is to generate______publicity and improve the company's reputation.
When a firm has a public relations agent, the primary function is to generate positive publicity and improve the company's reputation.
A public relations agent works to manage the public's perception of the firm by crafting and disseminating messages that highlight the company's strengths and values. By building relationships with key stakeholders, such as customers, investors, and the media, the public relations agent can help to enhance the firm's reputation and credibility.
Ultimately, a strong public relations strategy can help to increase brand awareness, attract new customers, and drive business growth.
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Question 10 What effect of belonging to a group would a brand manager considering their own brand's community be most concerned abou The Undesired Self Social Life Deindividuation The Avoidance Self Risky Shift Question 11 What type of opinion leader are real estate agents? Surrogate Consumer Polymorphic Generalized Market Maven Monomorphic Question 12 Journalists that write and report on all facets of specific markets or industries can be thought of as what type of opinion leader? Surrogate Consumer Generale Moromorphic Market Man Polymorphic 15 Word-of-mouth (WOM) is thought to influence approximately 25% of all sales. True Fahe D Question 14 1 pts What form of social power does a brand assert when it offers bonus loyalty points? Expert Power Reward Power legitimate Power Information Power Coercive Power Referent Power Question 15 1 pts Although you rarely gamble, you decide to join your friends on a trip to a local casino. While there you begin placing large bets on games of chance while talling to your friends about your likely chance of winning. As a consumer. You are most likely exhibiting what effect of group participation? The Avoidance Selt Socialna The Undesired sex FOR SA Dedication our Gulz 64 G A consumer who us to burtus brand of itchen donar because the parts always Question 16 1 pts What types of social power would a brand evangelist have to influence a brand-centric social group leg. a brand community)? Select all that apply. Expert Power Information Power Referent Power Legitimate Power Coercive Power Reward Power D 1 pts Question 17 Word-of-mouth (WOM) refers to the exchange of information and opinions about consumption experiences between consumers. In general, we expect WOM to be more influential in circumstances where: Opinion leaders Avoidance groups Private member rewards club Brand communities Aspiration groups Question 18 1 pts Marketers need to fully understand that dissociative groups are important reference groups for consumer True
A brand manager considering their own brand's community would be most concerned about the effect of Deindividuation.
Answer 11: Real estate agents are Surrogate Consumers.
Answer 12: Journalists that write and report on all facets of specific markets or industries can be thought of as Market Mavens.
Answer 13: Word-of-mouth (WOM) is thought to influence approximately 25% of all sales. True.
Answer 14: When a brand offers bonus loyalty points, it asserts Reward Power.
Answer 15: As a consumer, placing large bets on games of chance while talking to friends about your likely chance of winning while at a casino exhibits the effect of Social Facilitation.
Answer 16: A brand evangelist would have Expert Power, Information Power, Referent Power, and Reward Power to influence a brand-centric social group.
Answer 17: In general, we expect WOM to be more influential in circumstances where there are Opinion Leaders, Aspiration Groups, or Private Member Rewards Clubs.
Answer 18: Marketers need to fully understand that dissociative groups are important reference groups for consumers. True.
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True/False. An online money transfer company that allows consumers to send money directly to bank accounts in several countries around the world is an example of a service firm.
The statement "an online money transfer company that allows consumers to send money directly to bank accounts in several countries around the world is an example of a service firm" is true because a service firm allows customers to transfer money across borders conveniently.
The given statement "an online money transfer company that allows consumers to send money directly to bank accounts in several countries around the world is an example of a service firm" is true because a service firm is a business that provides intangible goods or services to its consumers, meaning that they do not produce physical products. Instead, they offer various types of services that cater to the needs and demands of their customers. In the case of the online money transfer company, it provides the service of enabling consumers to transfer money across borders in a convenient, efficient, and secure manner.
Consumers are individuals or entities that utilize these services for their personal or business needs. They choose service firms based on factors such as reliability, fees, ease of use, and overall satisfaction with the service provided.
In this example, the online money transfer company serves as a facilitator between consumers in different countries, enabling them to send and receive money without the need for physical transactions or traditional banking methods. This type of service is particularly useful in today's globalized economy, where individuals and businesses often need to send money internationally.
To summarize, the statement is true as an online money transfer company, which allows consumers to send money to bank accounts worldwide, is a prime example of a service firm. They offer an intangible service that meets the demands of their customers in an efficient and user-friendly manner.
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Using Reading III.2, "They Don’t Wear Wigs Here" by Schreier,explain how Jewish immigrant women used dress to make thetransition from members of a small- scale culture to a large-scaleculture
Jewish immigrant women used to dress as a tool for assimilation and integration into the larger American culture.
In the article, "They Don't Wear Wigs Here," Schreier describes how Jewish women who immigrated to America from Eastern Europe were initially resistant to changing their traditional dress. However, they soon realized that their clothing made them stand out and hindered their ability to fully participate in American society.
To make the transition to a large-scale culture, Jewish immigrant women gradually adopted American dress styles, while also incorporating elements of their traditional clothing. For example, they would wear American-style dresses but add their own cultural accessories, such as a headscarf or a brooch.
By doing so, these women were able to blend in with their American peers while still maintaining a connection to their cultural heritage. The dress became a way for them to negotiate their identity and find a balance between their past and their present.
Overall, the article shows how clothing can be a powerful tool for cultural adaptation and integration. By understanding how Jewish immigrant women used dress to navigate their transition to American culture, we can gain insight into the complex processes of assimilation and identity formation.
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stenson, inc., imposes a payback cutoff of three years for its international investment projects. assume the company has the following two projects available.
a. Project A requires an initial investment of $1,000,000 and generates cash flows of $400,000 per year for three years.
b. Project B requires an initial investment of $2,000,000 and generates cash flows of $900,000 in year one, $800,000 in year two, and $700,000 in year three.
To determine which project meets the payback cutoff of three years, we need to calculate the payback period for each project.
Project A: Payback period = Initial investment / Annual cash flows = $1,000,000 / $400,000 = 2.5 years (less than 3 years)
Project B: Payback period = $1,100,000 / $700,000 = 1.57 years (less than 3 years)
Therefore, both projects meet the payback cutoff of three years, but Project B has a shorter payback period and may be the better investment choice.
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Cala manufacturing purchases land for $275,000 as part of its plans to build a new plant. the company pays $40,900 to tear down an old building on the lot and $60,461 to fill and level the lot. it also pays construction costs of $1,478,700 for the new building and $93,340 for lighting and paving a parking area. prepare a single journal entry to record these costs incurred by cala, all of which are paid in cash.
This journal entry records the purchases and costs related to the land, building demolition, lot preparation, new building construction, and parking area lighting and paving, all of which are paid in cash by Cala Manufacturing.
Debit Land Account for $275,000
Debit Demolition Expense Account for $40,900
Debit Land Improvement Account for $60,461
Debit Building Account for $1,478,700
Debit Lighting and Paving Expense Account for $93,340
Credit Cash Account for $1,948,401
The above journal entry records the cash payments made by Cala Manufacturing for the purchases and building costs, including the demolition expenses, land improvements, construction costs, and lighting and paving expenses.
Land: $275,000
Building Demolition: $40,900
Lot Preparation: $60,461
New Building Construction: $1,478,700
Parking Area Lighting and Paving: $93,340
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[2 markal Suppose that $d is invented at the end of each period (or month, quarter, year) for a periode. If the investmen earns interest at rater (expressed as a decimal) with compounding frequency equivalent to the number of investment period per year, then the value of the investment after a periods will be S(d,m,n,r) = md((1+r/m)^n - 1)/r where m is the number of compounding periode per year (this is called a simple annuity). In planning for retirement, suppose that you contributet 8500 every quarter into a pension plan earning interest at a rate of 6.3% compounded quarterly. Determine the value of the pension plan after 35 years, to the nearest dollar. Make sure you show the function that is to be evaluated
We simplify this expression to find that the value of the pension plan is approximately $1,219,932. The problem provides a formula, S(d,m,n,r), which calculates the value of an investment that earns interest at a given rate, compounded at a given frequency.
The formula takes four inputs:
d: the amount of the investment made at each period
m: the number of times per year that the investment is compounded
n: the total number of periods for which the investment is made
r: the interest rate per period, expressed as a decimal
In this case, we are given that we are contributing $8,500 every quarter for 35 years, and that the interest rate is 6.3% compounded quarterly. We can use these inputs to calculate the value of the pension plan after 35 years by substituting them into the formula:
S(8500,4,140,0.01575) = 85004((1+0.01575/4)^140 - 1)/0.01575
The answer will be $1,219,932.
This calculation is important because it helps us to plan for our retirement by estimating the value of our pension plan after a given number of years of contributions and investment growth. By knowing the estimated value, we can better plan for our future financial needs and make any necessary adjustments to our contributions or investment strategy.
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large corporations are allowed to use the cash method of accounting for at least the first two years of their existence.
true
false
Large corporations are allowed to use the cash method of accounting for at least the first two years of their existence. False.
The statement is false because the cash method of accounting is typically not permitted for large corporations, especially those with annual gross receipts of more than $25 million, according to the IRS.
The cash method is a more straightforward way of accounting where income is recorded when it is received, and expenses are recorded when they are paid. This method is more suitable for small businesses or those without inventory.
Large corporations, on the other hand, are generally required to use the accrual method of accounting. The accrual method records financial transactions when they are incurred, regardless of when cash is exchanged.
This method provides a more accurate reflection of a company's financial health as it considers both accounts payable and accounts receivable.In the accrual method, income is recorded when it is earned, and expenses are recorded when they are incurred, even if payment is not received or made at that time.
The accrual method is considered a more accurate representation of a business's financial performance because it better matches revenues and expenses in the same period, giving a clearer picture of profitability.
Consequently, large corporations are usually required to use the accrual method to provide a more comprehensive and accurate financial report for their shareholders, creditors, and regulatory bodies
In summary, the statement that large corporations are allowed to use the cash method of accounting for at least the first two years of their existence is false, as these corporations are typically required to use the accrual method.
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Nov. PROBLEM 2 Harris Supply Co. has the following transactions related to notes receivable during the last 2 months of the year. 1 Loaned $90,000 cash to B. Woods on a 1-year, 7% note. Dec 11 Sold goods to R.P. Mayrl, Inc. receiving a $4,500, 90-day, 4% note. 16 Received a $12,000, 6-month, 9% note to settle an open account from M. Kline. 31 Accrued interest revenue on all notes receivable. Instructions: Journalize the transactions for Harris Supply Co. (Omit cost of goods sold entries.)
Journalizing the transactions for Harris Supply Co. Here are the entries for each transaction is $3,150.
Nov.
1. Notes Receivable 90,000
Cash 90,000
(Loaned $90,000 cash to B. Woods on a 1-year, 7% note)
Dec.
11. Notes Receivable 4,500
Sales Revenue 4,500
(Sold goods to R.P. Mayrl, Inc., receiving a $4,500, 90-day, 4% note)
16. Notes Receivable 12,000
Accounts Receivable - M. Kline 12,000
(Received a $12,000, 6-month, 9% note to settle an open account from M. Kline)
31. Interest Receivable 3,150
Interest Revenue 3,150
(Accrued interest revenue on all notes receivable)
Note: The interest amount in the last entry (3,150) is calculated as follows:
- B. Woods: $90,000 x 7% x (2/12) = $1,050
- R.P. Mayrl, Inc.: $4,500 x 4% x (20/360) = $50
- M. Kline: $12,000 x 9% x (1/12) = $90
Total interest: $1,050 + $50 + $90 = $3,150
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many fast food retailers, including mcdonald's and burger king, have followed a predictable pattern of how new forms of retail outlets enter the marketplace. mcdonald's has evolved from a relatively simple hamburger joint with low margins, low prices, limited product offerings, and low institutional status to a worldwide chain with higher margins, higher status, and a diverse list of products. this has created an opportunity for newer retailers emphasizing low prices and low status. the evolution of mcdonald's restaurants is consistent with the:
The evolution of McDonald's restaurants is consistent with the product life cycle, where products go through stages of introduction, growth, maturity, and decline.
Many fast food retailers, including McDonald's and Burger King, have followed a predictable pattern of how new forms of retail outlets enter the marketplace.
This pattern is consistent with the concept of the product life cycle. McDonald's started as a simple hamburger joint with low margins, low prices, limited product offerings, and low institutional status. As the brand became more established, they were able to increase their margins, expand their menu offerings, and increase their institutional status. This allowed for newer retailers emphasizing low prices and low status to enter the market, as consumers were looking for alternatives to higher-priced, higher-status fast food options. Overall, the evolution of McDonald's restaurants is consistent with the product life cycle, where products go through stages of introduction, growth, maturity, and decline.
The evolution of McDonald's restaurants, along with other fast food retailers like Burger King, is consistent with the retail life cycle theory. This theory describes the predictable pattern of new retail outlets entering the marketplace, starting with low margins, low prices, and limited product offerings, eventually evolving into more established businesses with higher margins, higher status, and a diverse list of products. As these retailers evolve, they create opportunities for newer retailers to enter the market, focusing on low prices and low status.
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eclypso inc. manufactures a product that passes through two processes: mixing and molding. all manufacturing costs are added uniformly in the mixing department. information for the mixing department for october is as follows: work in process, october 1: units (45% complete) 7,200 direct materials $42,000 direct labor 50,400 overhead 14,400 during october, 38,400 units were completed and transferred to the molding department. the following costs were incurred by the mixing department during october: direct materials $144,000 direct labor 192,000 overhead 60,000 by october 31, the 3,600 units that were 85% complete remained in mixing department. eclypso uses the weighted average method. which of the following is eclypso's cost of october's ending work in process for the mixing department? (note: round answer to two decimal places.)
The cost of October's ending work in process for the mixing department is $49,080.
We can first calculate the total cost of beginning work in process:
$42,000 + $50,400 + $14,400 = $106,800
Then, we can calculate the total cost of units completed and transferred out:
($144,000 + $192,000 + $60,000) / 38,400 units = $12 per unit
$12 per unit x 38,400 units = $460,800
Next, we can calculate the equivalent units of production for direct materials, direct labor, and overhead costs:
Direct materials: 38,400 units + (3,600 units x 85%) = 41,040 equivalent units
Direct labor: 38,400 units + (3,600 units x 85%) = 41,040 equivalent units
Overhead: 38,400 units + (3,600 units x 85%) = 41,040 equivalent units
We can then calculate the total cost of units in ending work in process:
$12 per unit x 3,600 units = $43,200
Finally, we can calculate the cost of October's ending work in process for the mixing department using the weighted average method:
($106,800 + $460,800 + $43,200) / 41,040 equivalent units = $14.57 per equivalent unit
$14.57 per equivalent unit x 3,600 units x 85% complete = $49,080.
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Tempo Company's fixed budget (based on sales of 16,000 units) folllows.
Sales (16,090 units * $215 per unit) 3, 440, 900
Costs
Direct materials 384,900
Direct labor 688, 900
Indirect materials 416, 900
Supervisor salary 184,900
Sales commissions 144, 900
Shipping 224, 900
Administrative salaries 234, 900
Depreciation-Office equipment 204, 500
Insurance 174, 900
Office rent 184,900
Income 604, 900
1. Compute total variable cost per unit.
2. Compute total fixed costs.
3. Prepare a flexible budget at activity levels of 14,000 units and 18,000 units.
The flexible budget at 14,000 units is $3,291,460 and the flexible budget at 18,000 units is $3,534,820.
To compute the total variable cost per unit, we need to determine the variable cost per unit. This can be done by subtracting the total fixed costs from the total costs and then dividing by the number of units produced:
Total variable costs = Total costs - Total fixed costs
Total variable costs = 1,584,900 - 604,900
Total variable costs = 980,000
Variable cost per unit = Total variable costs / Number of units produced
Variable cost per unit = 980,000 / 16,090
Variable cost per unit = $60.84
Therefore, the total variable cost per unit is $60.84.
To compute the total fixed costs, we simply need to add up all the fixed costs:
Total fixed costs = Direct materials + Direct labor + Indirect materials + Supervisor salary + Sales commissions + Shipping + Administrative salaries + Depreciation-Office equipment + Insurance + Office rent
Total fixed costs = 384,900 + 688,900 + 416,900 + 184,900 + 144,900 + 224,900 + 234,900 + 204,500 + 174,900 + 184,900
Total fixed costs = $2,439,700
Therefore, the total fixed costs are $2,439,700.
To prepare a flexible budget at activity levels of 14,000 units and 18,000 units, we need to first determine the variable costs and then add them to the fixed costs.
At 14,000 units:
Variable costs = Variable cost per unit x Number of units
Variable costs = $60.84 x 14,000
Variable costs = $851,760
Total costs = Fixed costs + Variable costs
Total costs = $2,439,700 + $851,760
Total costs = $3,291,460
At 18,000 units:
Variable costs = Variable cost per unit x Number of units
Variable costs = $60.84 x 18,000
Variable costs = $1,095,120
Total costs = Fixed costs + Variable costs
Total costs = $2,439,700 + $1,095,120
Total costs = $3,534,820.
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which of the following are the most likely responses from competing companies if your company is successful? (select all that apply.) multiple select question. competitors will wage an aggressive smear campaign on social media. competitors will reduce prices on their products. competitors will increase their advertising. competitors will begin a crowdfunding campaign.
The most likely responses from competing companies if your company is successful is competitors will reduce prices on their products, and competitors will increase their advertising.
When a company becomes successful, it is likely that its competitors will respond by trying to compete more aggressively. The competitor tends to try to win back customers by lowering prices or offering promotions, to lure customers away from the successful company.
Another common response is to increase advertising in order to promote their own products more effectively.
While competitors might engage in other tactics, such as smear campaigns or crowdfunding, these are not the most common responses in a competitive business environment.
Therefore, reducing prices on products and increase advertising is the most likely responses from competing companies if your company is successful.
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Which of the following must a researcher do before determining layout and evaluating the questionnaire to be used in a survey? (Check all that apply.)
A. Develop questions and scaling
B. Confirm research objectives and information requirements
C. Choose appropriate data collection method
Before determining the layout and evaluating the questionnaire to be used in a survey, a researcher must perform the following tasks:
B. Confirm research objectives and information requirements:
The researcher must identify the research objectives and the information requirements for the study to ensure that the questions in the survey will address the research problem and objectives.
A. Develop questions and scaling:
Once the research objectives and information requirements have been identified, the researcher must develop appropriate questions and scaling techniques to ensure that the survey accurately measures the required information.
C. Choose appropriate data collection method:
The researcher must choose the appropriate data collection method based on the research objectives and information requirements. This can include online surveys, mail surveys, telephone surveys, or personal interviews.
Overall, it is essential to carefully plan and design the survey instrument to ensure that it accurately measures the research objectives and requirements. This will help ensure that the survey provides valuable and meaningful data that can be used to make informed decisions.
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Have you been in a car accident or has your family had a losson your home? If so, what was your biggest surprise on the positiveside? What was your biggest surprise on the negative side?
Answer: The biggest positive surprise for someone who has been in a car accident is the outpouring care and support from family, friends, and even strangers. The community can come together to provide emotional support, offer help with tasks like grocery shopping and cooking, and contribute to fundraisers to cover medical bills or car repairs.
On the negative side, the biggest surprise may be the struggle of dealing with insurance companies and the legal system. Filing for claim and negotiating a settlement can be a complex and frustrating process, and it's not uncommon for accident victims to feel overwhelmed or taken advantage of by insurers or attorneys. Additionally, the physical and emotional toll of recovering from an accident or loss can be a significant challenge, and it can take a long time to fully heal and get back to normal life.
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when would you see the greatest gain if a compensating differential is built into your salary? group of answer choices the differential is for a large negative risk that you care about more than most people do. the differential is for a slightly negative risk that you don't care about as much as most people do. the differential is for a large positive job aspect that you care about more than most people do. the differential is for a slightly positive job aspect that you don't care about as much as most people do.
if the fed announces a lower federal funds rate target, this most likely means that the fed will act to:
If the Fed announces a lower federal funds rate target, it most likely means that the Fed will act to stimulate economic growth. The federal funds rate is the interest rate at which banks lend reserves to each other overnight.
By lowering the federal funds rate target, the Fed is signaling that it wants to encourage borrowing and investment in the economy. This can lead to lower interest rates for consumers and businesses, which can stimulate economic activity and help to boost employment and inflation. In short, a lower federal funds rate target is an indication that the Fed is taking action to support economic growth.
The federal funds rate is a key monetary policy tool that the Federal Reserve uses to influence the economy. The Fed can adjust the federal funds rate target by buying or selling government securities in the open market. When the Fed wants to lower interest rates, it can buy government securities, which increases the money supply and drives down short-term interest rates, including the federal funds rate. Conversely, when the Fed wants to raise interest rates, it can sell government securities, which reduces the money supply and drives up short-term interest rates.
Lowering the federal funds rate target can have several effects on the economy. First, it can encourage borrowing and investment by making it cheaper for consumers and businesses to obtain credit. This can stimulate economic growth and job creation. Second, it can lead to lower bond yields, which can make stocks more attractive to investors, driving up equity prices. Finally, a lower federal funds rate target can lead to inflation, as cheaper borrowing costs can increase demand for goods and services, leading to higher prices.
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11. In 2019, LSP company reported a net income of $52,000. They had reported earnings before interest and taxes (EBIT) of $150,000. Additionally, we know that the government's tax rate on businesses is 40%. What was their interest expense? 4 point
A. $7,500
B. $95,333
C. $63,333
D. $70,200
E. None of the above
Your answer: C. $63,333. Here's the breakdown:
1. Earnings before interest and taxes (EBIT) for LSP company in 2019: $150,000
2. Government tax rate on businesses: 40%
3. Net income reported by the company in 2019: $52,000
To find the interest expense, first, calculate the earnings before taxes (EBT) using the net income and tax rate:
EBT = Net Income / (1 - Tax Rate)
EBT = $52,000 / (1 - 0.4)
EBT = $52,000 / 0.6
EBT = $86,666.67
Now, subtract EBIT from EBT to get the interest expense:
Interest Expense = EBIT - EBT
Interest Expense = $150,000 - $86,666.67
Interest Expense = $63,333.33
Therefore, the interest expense for LSP company in 2019 was $63,333 (rounded to the nearest whole number).
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some studies indicate that customers who shop using multiple channels are less engaged during the purchase process and tend to spend less than customers who ____
Some studies indicate that customers who shop using multiple channels are less engaged during the purchase process and tend to spend less than customers who focus on a single channel.
some studies indicate that customers who shop using multiple channels are less engaged during the purchase process and tend to spend less than customers who shop through a single channel. However, this doesn't mean that all customers who use multiple channels behave this way. It's important to understand that each customer is unique, and their behavior can vary depending on their needs and preferences. Additionally, offering multiple channels can still be beneficial for businesses as it provides convenience and accessibility for customers to shop in their preferred way. Therefore, it's essential for businesses to continue offering multiple channels and focus on providing a seamless and personalized customer experience across all channels to increase customer engagement and spending.
Some studies indicate that customers who shop using multiple channels are less engaged during the purchase process and tend to spend less than customers who focus on a single channel. This suggests that engagement and spending may be higher when customers concentrate on one specific shopping platform.
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all of the following are intangible assets except select one: a. copyrights. b. goodwill. c. patents. d. research and development costs.
d. research and development costs, all of the other options (a. copyrights, b. goodwill, and c. patents) are considered intangible assets. Research and development costs are considering the expenses, not assets.
The intangible asset that is not included in the list is d. research and development costs because of the following reasons, research and development costs are not recognized as intangible assets under Generally Accepted Accounting Principles (GAAP). These costs are usually expensed as incurred, rather than being capitalized and recorded as assets on the balance sheet. Copyrights, goodwill, and patents are examples of intangible assets that are recognized under GAAP.
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if the interest rate is 4% on euro deposits and 2% on dollar deposits, while the euro is trading at $1.40 per euro, what does the market expect the exchange rate
The market expects the exchange rate to be approximately $1.3938 per Euro in the future.
Based on your question, we have the following information:
1. Interest rate on Euro deposits: 4%
2. Interest rate on Dollar deposits: 2%
3. Current exchange rate: $1.40 per Euro
To determine the expected future exchange rate, we can use the Interest Rate Parity (IRP) theory. The IRP theory states that the difference in interest rates between two countries should be equal to the expected change in exchange rates. Here's the formula for IRP:
(1 + Interest Rate on Domestic Currency) / (1 + Interest Rate on Foreign Currency) = (Expected Future Exchange Rate) / (Current Exchange Rate)
In this case, the domestic currency is the Dollar, and the foreign currency is the Euro.
(1 + 0.02) / (1 + 0.04) = (Expected Future Exchange Rate) / $1.40
1.02 / 1.04 = (Expected Future Exchange Rate) / $1.40
Now, we can solve for the Expected Future Exchange Rate:
Expected Future Exchange Rate = $1.40 * (1.02 / 1.04)
Expected Future Exchange Rate ≈ $1.3938
So, the market expects the exchange rate to be approximately $1.3938 per Euro in the future.
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